So long as no event of default has occurred and is continuing, we may defer interest payments on one or more occasions for up to 40 consecutive quarterly periods, as described in this prospectus supplement. Any deferred interest payments will bear additional interest at the rate of 6.00% per year, to the extent legally permitted. The junior subordinated debentures will mature on December 15, 2076.
Redeemed 12/15/2021
DTY
DTE
N/A
12/07/2016
12/15/2021
12/15/2076
11,200,000
0
6.00%
$25.00
No
No
0.375
MAR, JUN, SEP, DEC
15